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This form is filed by reporting owners to disclose their ownership of securities pursuant to Section 16(a) of the Securities Exchange Act of 1934.
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Form 3 is a regulatory document used by companies to report the initial ownership of their securities to the appropriate regulatory authority, typically in the context of securities laws.
Form 3 must be filed by anyone who is an officer, director, or beneficial owner of more than 10% of a class of equity securities of a company registered under the Securities Exchange Act of 1934.
To fill out Form 3, the filer must provide information such as their name, address, the name of the issuer, the title of the securities, and the number of securities owned, along with relevant signature and date.
The purpose of Form 3 is to provide transparency through the disclosure of initial ownership by insiders of the company, which helps prevent insider trading and ensures equitable information access.
Form 3 requires the reporting of the report type, the name of the reporting person, their title or relationship to the issuer, the name of the issuer, the date of report, the securities title, and the number of shares owned.
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